Finance, Banking and Insurance

8.072.00.01 Finance, Banking and Insurance
Qualification awarded: Master in finance, banking and insurance
Entry year: 2022
Mode of study: full
Program duration: 1 year and 4 month
Institute: Separated Structural Subdivision Educational and Research Institute of Business and Innovative Technologies of Lviv Polytechnic National University
Number of credits: 90 ECTS credits
Level of qualification according to the National Qualification Framework and the European Qualifications Framework: NQF Level 7 (Second cycle of QF-EHEA / EQF Level 7)
Field(s) of study: Management and Administration
Specific admission requirements: Excluded
Qualification requirements and regulations, including graduation requirements: Total fulfillment of the curriculum, defense of master’s thesis
Characteristics of the educational program: The educational program is based on well-known provisions and results of modern scientific research in finance, banking, insurance and focuses on current specializations. The educational program has two practical lines - finance, banking and insurance (financial management) and finance, banking and insurance (community finance).
Програмні результати навчання: - Basic concepts and methodologies of scientific knowledge, modern achievements of financial science, patterns of development in finance, banking and insurance, existing scientific approaches and methods to systematization and analysis of information to address specific situations of professional activity; - methods of managing financial risks and processes in the field of finance, banking and insurance, diagnostics and modeling of financial activities of economic entities; - foreign language, methods of presenting research results, discussions; - the mechanism of using corporate information systems, interbank and other payment systems that ensure the functioning of financial flows; - methodologies of taxation, accounting and reporting in budgetary institutions for the formation and control over the implementation of target programs and the public budget; - methodical approaches to valuation and management of assets, capital, risks, land resources, the value of a property of the territorial community. - Basic concepts and methodologies of scientific knowledge, modern achievements of financial science, patterns of development in finance, banking and insurance, existing scientific approaches and methods to systematization and analysis of information to address specific situations of professional activity; - methods of managing financial risks and processes in the field of finance, banking and insurance, diagnostics and modeling of financial activities of economic entities; - foreign language, methods of presenting research results, discussions; - the mechanism of using corporate information systems, interbank and other payment systems that ensure the functioning of financial flows; - methodologies of taxation, accounting and reporting in budgetary institutions for the formation and control over the implementation of target programs and the public budget; - methodical approaches to valuation and management of assets, capital, risks, land resources, the value of a property of the territorial community. - To inform specialists and non-specialists about information, ideas, problems, solutions and transfer their own experience in the field of professional activity; - effectively form a communication strategy; - to communicate freely in a foreign language orally and in writing on professional and scientific issues, to present and discuss, to present the results of research; - substantiate management decisions in the field of finance, banking and insurance and evaluate their effectiveness, taking into account the objectives, existing restrictions, legal and ethical aspects; - be aware of the need for lifelong learning to deepen the acquired and acquire new professional knowledge.
Academic mobility: Absent but mobility is encouraged and recognized according to procedures of ECTS
Work placement(s): Practice on the topic of master's thesis
Programme director: PhD., Prof. Lapishko Mariia Lvivna
Occupational profiles of graduates: Graduates of the master's program have employment opportunities in financial institutions, enterprises of various forms of ownership, in state and municipal financial management bodies in positions with professional functions in one or more of the economic activities: financial intermediation, insurance; banking, activities in the field of accounting, business and management; activities in the area of state and municipal administration; supervision in the field of budgeting and taxation, management at the level of districts, cities, inner-city districts, territorial communities. Positions following DK 003: 2010: 1461 manager (finance, insurance, leasing, lending); 1468 manager (for property insurance, liability, personal insurance); 2441.2. analyst (banking, investment); 244.2. analyst (on financial and economic security, lending), 1231 leading economists, financier, accountant, financial analyst, specialist in tenders and public procurement, chairman (deputy chairman) of the territorial community.
Access to further studies: Obtaining third (educational and scientific / educational and creative) level
Other program features: Excluded